TABLE-India Certificates of Deposit dealt-July 9
July 9 (Reuters)-Below are the details of India certificates of deposit dealt in the primary & secondary market. (10 million = 1 crore) ISSUER INVESTOR MATURITY RATING
DEALT VOLUME
YTM(%) IN MLNS ---------------------------------------------------------------- --------------------------PRIMARY MARKET -------------- DCB
MF 3 MONTHS P1+
10.43 200 SBP MF 6 MONTHS P1+
10.35 1000 CORPORATION BK MF 1 YEAR P1+
10.70 500 CORPORATION BK PD 1 YEAR P1+
10.70 500 CORPORATION BK CORP 1 YEAR P1+
10.70 1500 SBP MF 1 YEAR P1+
10.70 400 SBP CORP 1 YEAR P1+
10.70 1500 SBP INSU CO. 1 YEAR P1+
10.70 250 SECONDARY MARKET ---------------- AXIS BANK MF 16-Jul-08 P1+
9.35 250 J&K MF 24-Jul-08 P1+
9.25 450 IOB BANK 03-Oct-08 A1+
10.15 250 CANARA BANK MF 07-Oct-08 P1+
10.05 250 ================================================================ ============================ Note: # - T+1 Deals CD Focus Page : INCD01 For Primary Market CD Deals : INCD02 For Secondary Market CD Deals : INCD03 INCD04 Contact Bangalore Rate Reporting Unit: +91 80 4135 6505 fax +91 80 4135 6307, rru.data@thomsonreuters.com
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